Financing

Net Cash from Financing Activities, Continuing Operations

Ready Capital Net Cash from Financing Activities, Continuing Operations decreased by 330.7% to -$1.27B in Q1 2026 compared to the prior quarter. Year-over-year, this metric declined by 327.9%, from -$296.24M to -$1.27B. Over 4 years (FY 2021 to FY 2025), Net Cash from Financing Activities, Continuing Operations shows a downward trend with a 1.2% CAGR.

Analysis

StatementCash Flow Statement
SectionFinancing
First reportedQ1 2013
Last reportedQ1 2026May 8, 2026
Metric ID: ge_net_cash_from_financing_continuing

Historical Data

20 periods
 Q2 '21Q3 '21Q4 '21Q1 '22Q2 '22Q3 '22Q4 '22Q1 '23Q2 '23Q3 '23Q4 '23Q1 '24Q2 '24Q3 '24Q4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Value$484.72M$484.72M$484.72M$316.04M$316.04M$316.04M$316.04M-$131.18M-$194.10M-$357.81M-$450.22M-$347.93M-$277.89M-$665.52M-$547.81M-$296.24M-$486.75M-$956.11M-$294.27M-$1.27B
QoQ Change+0.0%+0.0%-34.8%+0.0%+0.0%+0.0%-141.5%-48.0%-84.3%-25.8%+22.7%+20.1%-139.5%+17.7%+45.9%-64.3%-96.4%+69.2%-330.7%
YoY Change-34.8%-34.8%-34.8%-141.5%-161.4%-213.2%-242.5%-165.2%-43.2%-86.0%-21.7%+14.9%-75.2%-43.7%+46.3%-327.9%
Range-$1.27B$484.72M
CAGR+22.4%
Avg YoY Growth-97.8%
Median YoY Growth-59.4%

Frequently Asked Questions

What is Ready Capital's net cash from financing activities, continuing operations?
Ready Capital (RC) reported net cash from financing activities, continuing operations of -$1.27B in Q1 2026.
How has Ready Capital's net cash from financing activities, continuing operations changed year-over-year?
Ready Capital's net cash from financing activities, continuing operations decreased by 327.9% year-over-year, from -$296.24M to -$1.27B.
What is the long-term trend for Ready Capital's net cash from financing activities, continuing operations?
Over 4 years (2021 to 2025), Ready Capital's net cash from financing activities, continuing operations has grown at a 1.2% compound annual growth rate (CAGR), from $1.94B to -$2.03B.